on ‎2019 Dec 23 4:14 PM
Hi FI-CA gurus,
I have a question regarding direct bank debit in FICA.
I know that the first step consists of run payement in FPY1.
But I 'm not sure about the second step, I mean after the bank returns back its statement with both successful and unsuccessful payemnt, How to manage this? which transactions are involved ?
Do we do this through FICA or FI ?
Request clarification before answering.
Hi,
Report RFKKRL00 is basically used for the posting of multiple return lots using an incoming file , t code FPB5.
Thanks,
Anand
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Hi,
Please use the transaction FP09 to post a return lot in SAP.
Yes you can schedule and execute the DD as a nightly job or as per your requirement (program RFKK_MA_SCHEDULER).
Thanks,
Anand
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Hi,
I am not sure if I understood your question correctly, but let me try to highlight the process to you.
1. Execute the DD process for the identified CAs using (Transaction FPY1).
2. Generate the payment medium file and send to the concerned banks/institution ( Program SAPFKPY3).
3. If payment is unsuccessful at the bank end the banks send a return file for which a return lot can be posted back in SAP, this will nullify the previously posted DD payment.
See if this helps.
Thanks,
Anand
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